Defining Potentially Traumatic Events

D. Kilpatrick
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Abstract

The posttraumatic stress disorder (PTSD) diagnosis was introduced 40 years ago in DSM-III, and controversy has existed ever since over what constitutes a criterion A stressor or a potentially traumatic event (PTE). This controversy was compounded by the radically different approach taken by the World Health Organization in defining PTSD and complex PTSD in the 11th revision of the International Classification of Diseases. These PTE definitions have considerable research, clinical, and legal implications because exposure to a qualifying PTE is a necessary, but not sufficient, condition to meet diagnostic criteria for PTSD. This chapter reviews the history of criterion A, essential elements of assessing PTE exposure, conditional risk of PTSD associated with specific PTEs, and situational and demographic variables likely to increase risk of PTSD. Significant attention is given to controversies surrounding criterion A and qualifying PTEs, as well as limitations of extant research. Recommendations are included for future research and clinical assessment with particular emphasis on the importance of comprehensive assessment that maximizes detection of criterion A PTE exposure and PTSD assessment strategies that capture the effects of exposure to more than one criterion A stressor.
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定义潜在创伤性事件
创伤后应激障碍(PTSD)的诊断是在40年前的DSM-III中引入的,从那时起,关于什么构成标准a压力源或潜在创伤性事件(PTE)的争议就一直存在。世界卫生组织在《国际疾病分类》第11版中对创伤后应激障碍和复杂创伤后应激障碍的定义采取了截然不同的方法,这使这场争论更加复杂。这些PTE的定义具有相当多的研究、临床和法律意义,因为暴露于合格的PTE是满足PTSD诊断标准的必要条件,但不是充分条件。本章回顾了标准A的历史,评估PTE暴露的基本要素,与特定PTE相关的PTSD条件风险,以及可能增加PTSD风险的情境和人口变量。重点关注围绕标准A和合格pte的争议,以及现有研究的局限性。建议包括未来的研究和临床评估,特别强调综合评估的重要性,最大限度地发现标准A PTE暴露和创伤后应激障碍评估策略,捕捉暴露于一个以上标准A应激源的影响。
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